Euro Tech Holdings Company Limited

NASDAQ:CLWT

1.48 (USD) • At close November 12, 2024
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996
Operating Activities:
Net Income 1.8280.3690.9890.769-0.1460.0880.4730.231-0.6160.164-0.018-0.4290.521-1.0870.0320.1490.4220.6791.0510.5940.5310.50.5840.3580.3390.30.40.47
Depreciation & Amortization 0.0150.0330.0380.0490.0690.060.0610.0550.0560.0880.1080.130.1820.170.2020.2180.2320.2160.1810.1840.190.1630.2010.1090.0990.10.10.07
Deferred Income Tax 0.0050.034-0.1450.0920.0370.0340.0280.0160.0250.0090.0260.025-0.018-0.079-0.046-0.01-0.096-0.0040.0150.003-0.003-0.043000000
Stock Based Compensation 0.0470.0450.0550.0540.010000.0160.002000000.217000000000000
Change In Working Capital 0.130.2161.232-0.9410.15-0.7851.1550.957-1.2120.328-2.462.746-0.611.1060.332-0.021-0.3360.573-1.5011.947-0.974-0.528-0.8450.2090.490.30.3-0.24
Accounts Receivables -1.1272.045-0.4320.3871.503-1.2810.5850.107-0.232-0.186-0.9930.655-0.072.3890.644-1.739000000000000
Inventory -0.12-0.056-0.2050.244-0.1850.095-0.1520.213-0.014-0.0490.159-0.070.737-0.0541.253-0.5880.0160.7042.387-1.318-0.2820.039-1.058-0.376-0.0830.1-0.10
Accounts Payables 1.12-0.8720.757-1.52-0.9861.220.5070.119-0.5070.446-0.5980.838-0.271-0.738-1.9542.726000000000000
Other Working Capital 0.257-0.9011.112-0.052-0.182-0.8190.2150.518-0.4590.117-1.0281.323-1.006-0.4910.389-0.42-0.352-0.131-3.8883.265-0.692-0.5670.2130.5850.5730.20.40
Other Non Cash Items -1.579-0.2360.032-2.058-0.386-0.149-0.106-0.073-1.241-1.0610.1130.309-0.010.33-0.280.0910.1480.0780.016-0.1920.001-0.0030-0.001000-0.37
Operating Cash Flow 0.2420.4612.201-2.035-0.266-1.3450.6520.153-2.972-0.47-2.5552.794-1.915-0.2840.240.6440.4491.543-0.2582.536-0.3470.089-0.060.6750.9280.70.8-0.07
Investing Activities:
Investments In Property Plant And Equipment -0.005-0.007-0.004-0.011-0.021-0.085-0.018-0.06-0.021-0.01-0.051-0.041-0.063-0.112-0.118-0.099-0.25-0.106-0.11-0.101-0.074-0.0810-0.313-0.2170-0.1-0.01
Acquisitions Net 0001.83504.88900.010000-0.673000000.486000000000
Purchases Of Investments 00-1.2-1.835-0.14800000000-0.2620-3.302000000000000
Sales Maturities Of Investments 0000.148000000000000000000000000
Other Investing Activites 0.3220.2391.5621.906-0.1480.2790.290.450.696-0.0540.387-0.5911.833-0.336-0.0060.238-4.165-0.246-0.3040.0550.001-0.335000001.12
Investing Cash Flow -0.0050.2320.3582.043-0.1695.0830.2720.390.675-0.0640.336-0.6321.097-0.71-0.124-3.163-4.415-0.3520.072-0.046-0.073-0.4160-0.313-0.2170-0.11.11
Financing Activities:
Debt Repayment 0-0.1540.015-0.2040.565000.720000000000000-0.09-0.096-0.077-0.065-0.1-1.40
Common Stock Issued 00000000000000.0330.0060.0513.722.6070.30600000001.80
Common Stock Repurchased -0.0140000000-0.0200-0.033-0.094-0.105-0.253-0.044000000-0.221-0.0160000.1
Dividends Paid -0.014-0.464-1.031-1.2990-1.4430000000000000000000-0.100
Other Financing Activities -0.0820-000-0.097-0.62300-0.042-0.134000.033000.20000000000-0.23
Financing Cash Flow -0.082-0.618-1.016-1.5030.565-1.54-0.6230.72-0.02-0.042-0.134-0.033-0.094-0.072-0.2470.0073.922.6070.30600-0.09-0.317-0.093-0.065-0.20.4-0.23
Other Information:
Effect Of Forex Changes On Cash -0.008-0.112-0.054-0.034-0.007-0.0530.1160.008-0.06-0.0150.15700.1210.1710.010.2710.273000-0.0010.039-0.0320.00300-0.7-0.01
Net Change In Cash 0.088-0.0371.489-1.5290.1232.1450.4171.271-2.377-0.549-2.0622.129-0.791-0.895-0.121-2.2410.2273.7980.122.49-0.421-0.378-0.4090.2720.6460.50.40.8
Cash At End Of Period 6.6466.6436.685.1916.726.5974.4523.7512.484.8575.4067.4685.3396.137.0257.1469.3879.165.3625.2422.7523.1733.5543.9633.69131.80.8